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Stock Screener·Switzerland·Financial Services·PEHN.SW
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Private Equity Holding AG Stocks

CHF 63.4Last Updated 07.08.2026

Issuer Rating

3/7
Performance

Average

Risk

Considerable

Recommendation

Sell

Market Cap

CHF 191.73M

CHF 63.4
Key Takeaways

Risk factor

Very poor trading liquidity

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Data is available to registered users only

Profitability factor

Very poor margins and returns

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Data is available to registered users only
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Risks

  • Default risk
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  • Volatility
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  • Selling difficulty
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  • Stress test
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  • Country risks
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  • Other risks
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About

Private Equity Holding AG implements a comprehensive investment strategy, primarily through fund-of-funds, secondary indirect investments, and carefully selected direct co-investments. Its fund-of-funds approach spans various categories, including venture, buyout, special situation, secondary, and balanced funds, with a specific exclusion of very early-stage venture capital and mega-buyout funds. Within its venture fund allocations, a strong emphasis is placed on technology sectors such as Internet, telecommunications, information technology, life sciences, and other high-tech areas like semiconductors and electronics. For direct participation, the company typically opts to co-invest alongside partner funds or offer pre-IPO financing in the form of convertible loans. Its investment scope is wide-ranging, encompassing businesses at diverse stages and scenarios, from mid-to-late venture, middle-market, and developmental phases, to management buyouts and buy-ins, succession issues, bridge financings, spin-offs, distressed and turnaround situations, and mature companies. It also considers Private Investment in Public Equity (PIPES). Geographically, Private Equity Holding AG focuses on developed European markets, with particular attention to Switzerland, Germany, France, and the United Kingdom, alongside Central and Eastern Europe, Israel, and the United States. For expansion or development capital, it targets companies generating annual revenues exceeding $1 million. The firm channels most of its investments through offshore entities and generally aims to secure a controlling interest.

Company Valuation

Fairly valued
4/7

Based on key historical and expected multiples, the stock is fairly valued relative to its peers.

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Risks

  • Default risk
    Data is available to registered users only
  • Volatility
    Data is available to registered users only
  • Selling difficulty
    Data is available to registered users only
  • Stress test
    Data is available to registered users only
  • Country risks
    Data is available to registered users only
  • Other risks
    Data is available to registered users only
Sign up to access detailed risk analysis

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